A concept or principle that relates to transactions is:
A) Full disclosure.
B) Original cost.
C) Consistency.
D) Materiality.

Answers

Answer 1

The concept or principle that relates to transactions is A) Full disclosure.

Full disclosure is a concept or principle that relates to transactions and requires businesses to provide all relevant information in their financial statements and reports to ensure transparency and accuracy.

B) Original cost is a concept that represents the initial price paid to acquire an asset or incur an expense. It relates to the valuation of assets or expenses at their historical cost rather than their current or market value. While original cost is a relevant concept in accounting, it is not specifically focused on transactions as full disclosure is.

C) Consistency is an accounting principle that requires businesses to apply the same accounting methods, principles, and policies consistently over time. It promotes comparability and reliability in financial statements by ensuring that similar transactions and events are treated consistently across different accounting periods. Although consistency is important in accounting, it does not specifically pertain to transactions.

D) Materiality is a concept that relates to the significance or importance of information in influencing the decisions of users of financial statements. It suggests that information should be disclosed if its omission or misstatement could impact the judgment or decision-making process of users. While materiality is crucial in determining what information should be included in financial statements, it is not solely focused on transactions.

So, full disclosure is the concept or principle that specifically relates to transactions.

Learn more about full disclosure here:

https://brainly.com/question/17117533

#SPJ11


Related Questions

Distance learning features a one-way communication for training. (T/F)

Answers

The statement "Distance learning features a one-way communication for training" is false.

Distance learning is a type of learning that occurs when a student is not present in a traditional classroom or learning environment. It can be done online or via correspondence. It is also known as online learning, e-learning, web-based training, or remote learning.

This type of learning is particularly beneficial for people who are unable to attend classes in person due to geographical, financial, or other constraints.Distance learning, like traditional classroom learning, is not one-way communication. The teacher can communicate with the student, and the student can communicate with the teacher

Learn more about learning methods at

https://brainly.com/question/33067303

#SPJ11

Use the model for supply and demand of bonds to show what will happen to the equilibrium of quantity of bonds outstanding and the equilibrium of bond prices and yields.

1-A. Inflationary expectations of the economy fall, evoking a much stronger response from issuers of bonds than investors in bonds

B. All leading indicators point to stronger economic growth in the future. The response of bond issuers dominates that of bond purchasers

Answers

A. Inflationary expectations falling leads to a decrease in bond demand and an increase in bond supply, resulting in a lower bond price and higher yield. B. Stronger economic growth increases bond demand and decreases supply, leading to a higher bond price and lower yield.

The model for supply and demand of bonds explains what will happen to the equilibrium of bond prices and yields and the equilibrium of quantity of bonds outstanding.

Supply and demand model of bonds: The market price of bonds is affected by the supply of bonds and the demand for them. An equilibrium price is established when the supply of bonds equals the demand for them. When the supply is greater than the demand, the price of the bond falls, and when the demand for bonds exceeds the supply, the price of the bond rises.

1-A. Inflationary expectations of the economy fall, evoking a much stronger response from issuers of bonds than investors in bonds: When inflationary expectations of the economy fall, there will be a decrease in the demand for bonds and an increase in the supply of bonds. This means that the bond price will fall, and the yield will increase. The increase in bond supply is a much stronger response from bond issuers than bond investors. This leads to a new equilibrium of quantity of bonds outstanding and a lower bond price and a higher yield.

B. All leading indicators point to stronger economic growth in the future. The response of bond issuers dominates that of bond purchasers: If all leading indicators point to stronger economic growth in the future, there will be an increase in the demand for bonds and a decrease in the supply of bonds. This means that the bond price will rise, and the yield will decrease. In this situation, the response of bond issuers dominates that of bond purchasers, and a new equilibrium of quantity of bonds outstanding and a higher bond price and a lower yield will be established.

Learn more about economic growth here:

https://brainly.com/question/30280812

#SPJ11

UESTION 1

Discuss emerging role of ICT in logistics management in 21st century included the impact of Corona in your discussion.

QUESTION 2

What is big data ? Discuss the important attributes of big data with relevant examples from logistic company perspectives.

QUESTION 3

You have been appointed as a Manager at Yanbu Fish Market. One of your strategic planning is to export Frozen Najil Fish (Grouper) for Middle East market. Discuss the role of technology with reference to shipment of chilled frozen sea food that can help your company operations.

QUESTION 4

Write a note on "Impact of Intelligent Transport Systems on Logistics Management" in Saudi Arabia.

Answers

QUESTION 1:

Discuss emerging role of ICT in logistics management in 21st century included the impact of Corona in your discussion. The role of Information and Communication Technologies (ICT) in logistics management has gained a great deal of attention in recent years.

ICTs help to improve logistics management in a number of ways, including real-time tracking, enhanced supply chain management, and improved inventory management. Additionally, the development of modern communication systems has had a significant impact on the transportation and logistics sector, particularly in the area of logistics management.

COVID-19 pandemic has further fueled the use of ICT in logistics management, as businesses had to quickly adapt to the changing demands of consumers while adhering to health and safety protocols. As a result, the use of digital supply chain management systems has increased significantly. Remote working arrangements have also driven the use of ICT in logistics management.

QUESTION 2:   

Big data is a term used to describe vast amounts of unstructured and structured data that are too large to be handled by traditional data processing software. Big data is now a fundamental component of logistics and supply chain management, providing information on real-time inventory levels, production schedules, and sales data.

The important attributes of big data include volume, velocity, and variety. Volume refers to the amount of data, velocity refers to the speed at which data is generated, and variety refers to the different types of data sources. Examples of big data from a logistics perspective include production data, sales data, shipment data, weather data, and social media data.

QUESTION 3:

One of your strategic planning is to export Frozen Najil Fish (Grouper) for Middle East market. Discuss the role of technology with reference to the shipment of chilled frozen seafood that can help your company operations. The role of technology in the shipment of chilled frozen seafood is critical for ensuring that the products remain fresh and intact during transit. There are various technologies that can be used for this purpose, including smart sensors, GPS tracking, and cold chain management systems.

Smart sensors can be used to monitor the temperature and humidity levels of the shipment in real-time. GPS tracking can be used to track the location of the shipment and ensure that it is delivered to the correct destination. Cold chain management systems are used to monitor the temperature of the product from the time it is packed until it is delivered. These technologies can help Yanbu Fish Market to maintain the quality of the frozen seafood during transit and improve customer satisfaction.

QUESTION 4:

Write a note on "Impact of Intelligent Transport Systems on Logistics Management" in Saudi Arabia. Intelligent Transport Systems (ITS) have had a significant impact on logistics management in Saudi Arabia. The use of ITS has resulted in improved efficiency, reduced costs, and increased safety. ITS includes technologies such as GPS, RFID, and Electronic Data Interchange (EDI) that are used to monitor and manage the movement of goods and vehicles.

ITS provides real-time information on traffic conditions, vehicle location, and driver behavior, which can be used to optimize delivery routes and improve the efficiency of logistics operations. Additionally, ITS can help to reduce the risk of accidents and improve the safety of drivers and goods. The Saudi Arabian government has recognized the potential benefits of ITS and has invested heavily in the development of smart transportation infrastructure to support logistics and supply chain management.

More on logistics management: https://brainly.com/question/17058676

#SPJ11

Part three: On pages 13/14 read "Misunderstanding the Business Case Can Be Costly." In two paragraphs, summarize what you read including examples from the reading. ( 8 points) (A paragraph is 4 sentences.)

Answers

In the business case, misunderstanding can be expensive. This misunderstanding is a lack of knowledge of what a business case is and how it is used. There are many examples in the article of the expensive costs of misunderstanding a business case.

Misunderstanding of the business case results in a business case that is incomplete, lacks detail, or has inappropriate assumptions. Such misunderstandings may lead to incorrect or inadequate business decisions being made by an organization.

In the case of a business proposal, for instance, the proposal may not be as appealing to the company as it should be, leading to a lack of investment in the idea, which may have been beneficial if more attention had been paid to the proposal.A lack of detail in a business case could lead to errors or negative outcomes for an organization.

As a result, the organization may suffer due to underestimating such expenses, leading to financial loss. It's important to note that sometimes, even when a business case is clear, people may choose to ignore it, leading to a situation where the organization would have benefitted from heeding the advice provided in the business case.In conclusion, an inadequate understanding of business cases can be costly. Incomplete, lacking in detail, and containing incorrect assumptions are all examples of misunderstanding business cases.

To know more about costs visit:

https://brainly.com/question/17120857

#SPJ11

Relational transparency is a self-regulatory behavior. How much of one’s negative qualities should a leader expose to others? What is an "appropriate manner" of sharing core feelings, motives, and inclinations?

Answers

A leader should exercise discretion and consider the context when deciding how much of their negative qualities to expose to others.

It is generally advisable for leaders to maintain a certain level of professionalism and project a positive image while being transparent about their actions and decisions.

Leadership requires striking a balance between transparency and maintaining authority and credibility. Sharing negative qualities should be approached with caution, as excessive disclosure may undermine the leader's effectiveness. It is important for leaders to create an environment of trust and authenticity, but they should also consider the impact their self-disclosure may have on the team's morale and confidence in their leadership.

When sharing core feelings, motives, and inclinations, leaders should focus on providing insights that foster understanding and strengthen relationships. They should be selective in their disclosure and ensure that their intentions align with the goals and values of the organization and its members.

Leaders should exercise discretion when sharing negative qualities and be mindful of the potential impact on their team. An appropriate manner of sharing core feelings, motives, and inclinations involves striking a balance between transparency and maintaining professionalism, considering the context, and promoting trust and authenticity within the team.

To know more about discretion, visit:- brainly.com/question/32507985

#SPJ11

How many years has it taken the Internet to achieve a share of greater than 50% of U.S. households?

a. 17

b. 10

c. 60

d. 38

2. Which of the following is not a characteristic of a perfect competitive market?

a. A nearly infinite set of suppliers compete against one another.

b. Price, cost, and quality information are equally distributed.

c. Customers have access to all relevant information worldwide.

d. It is highly regulated.

3. Which of the following best describes the early years of e-commerce?

a. They were a technological success but a mixed business success.

b. They were a technological failure but a business success.

c. They were a mixed technological and business success.

d. They were a technological success but a business failure.

Answers

1. It has taken the Internet many years to achieve a share of greater than 50% of U.S. households. The answer is option (d) 38.2. Perfect competitive market is one where the following characteristics hold;

There is a large number of suppliers who compete against each other. Each supplier is so small compared to the market that it cannot affect price. Price, cost, and quality information are freely and equally available to all market participants. Customers have access to all relevant information worldwide. Transactions incur no transaction costs. Property rights and contracts are enforced.

The answer is option (d) It is highly regulated.3. The best option that describes the early years of e-commerce is they were a technological success but a mixed business success. E-commerce is the activity of buying or selling products and services over the internet. It is important to understand the early years of this activity to appreciate its evolution and how it became what it is today. The early years of e-commerce witnessed a technological success. This is because a lot of advancements were made to the internet that made it possible to carry out transactions with ease and in a secure environment.

However, it was a mixed business success because it took a while for businesses to understand the dynamics of e-commerce and how to fully utilize it. Some businesses embraced e-commerce while others took a while to come around.

Therefore, the answer is option (a) They were a technological success but a mixed business success.

To know more about ,  market   visit:

https://brainly.com/question/25369230

#SPJ11

Using Ansoff’s Opportunity Matrix, develop four strategic alternatives for Taco Bell and place each in the appropriate quadrant.

Answers

Ansoff's Opportunity Matrix provides a framework to identify strategic alternatives for a business based on market penetration, market development, product development, and diversification. Here are four strategic alternatives for Taco Bell placed in the appropriate quadrants of the matrix.

Market Penetration (Existing Product, Existing Market):

Offering loyalty programs or introducing new menu items to attract existing customers and increase their frequency of visits. This strategy aims to strengthen Taco Bell's position in the current market.

Market Development (Existing Product, New Market):

Expanding into new geographical locations or targeting new customer segments, such as entering international markets or focusing on health-conscious consumers. This strategy seeks to find new markets for Taco Bell's existing products.

Product Development (New Product, Existing Market):

Introducing innovative menu items, such as plant-based options or exploring new flavors and ingredients, to cater to evolving consumer preferences. This strategy aims to leverage Taco Bell's existing market presence by offering new products.

Diversification (New Product, New Market):

Venturing into unrelated businesses or exploring new industries, such as launching a line of Taco Bell-branded merchandise or expanding into food delivery services. This strategy involves taking risks and seeking new opportunities outside Taco Bell's current product-market scope.

Learn more about Ansoff's Opportunity Matrix here: brainly.com/question/8190211

#SPJ11

Increase in notes payable represents use of cash. True False Retained earnings is reported in the Financing Activities section of statement of the cash flow. True False

Answers

Increase in notes payable represents the use of cash is False and Retained earnings is reported in the Financing Activities section of the statement of cash flows is False.

1.  Increase in notes payable does not always indicate the use of cash. Notes payable represents a liability, which means the company has borrowed money and is obligated to repay it in the future. When there is an increase in notes payable, it means that the company has taken on additional debt, but it does not directly reflect the use of cash.

The cash may have been used for various purposes, such as purchasing inventory or investing in assets, while the increase in notes payable represents the corresponding increase in liabilities.

2.  Retained earnings, which represents the accumulated profits of a company that have not been distributed to shareholders as dividends, is not reported in the Financing Activities section of the statement of cash flows. The statement of cash flows categorizes cash flows into three sections: Operating Activities, Investing Activities, and Financing Activities.

Retained earnings falls under the category of equity and is reported on the balance sheet as part of shareholders' equity, rather than being directly reported in the cash flow statement. The Financing Activities section primarily includes cash flows related to raising or repaying capital, such as issuing or repurchasing shares, obtaining or repaying loans, and paying dividends.

Learn more about Retained earnings here:

brainly.com/question/31791835

#SPJ11

List and explain the explain the economic issues involved in Industrial Cyclic Voltammetry. What are the economic issues involved in Cyclic voltammeter at Industrial scale?

Answers

Industrial cyclic voltammetry involves the application of the cyclic voltammetry technique in an industrial setting.

Cost of Equipment: Cyclic voltammetry at an industrial scale requires specialized equipment, including high-quality potentiostats, electrodes, and supporting infrastructure. These instruments can be expensive to acquire, maintain, and calibrate. The cost of equipment can be a significant economic consideration for industries implementing cyclic voltammetry.

Operational Costs: Operating an industrial-scale cyclic voltammetry setup involves expenses such as electricity, chemicals, and maintenance. The energy consumption of the equipment and the cost of chemical reagents required for the electrochemical processes can contribute to the overall operational costs.

Training and Expertise: Proper operation and interpretation of cyclic voltammetry data require skilled personnel with knowledge and expertise in electrochemistry. Training employees or hiring experts who are proficient in cyclic voltammetry techniques can add to the overall labor costs of the industrial process.

To learn more about Industrial cyclic follow:

https://brainly.com/question/15180610

#SPJ11




Exercise 10-3 (Algo) Lump-sum purchase of plant assets LO C1 Rodriguez Company pays $ 373,815 for real estate with land, land improvements, and a building. Land is appraised at $ 243,000

Answers

The cost allocated to the building is $130,815.

To determine the cost allocated to the building, we need to subtract the appraised value of the land from the total purchase price of $373,815.

The land is appraised at $243,000, we can calculate the cost allocated to the building as follows:

Cost allocated to the building = Total purchase price - Appraised value of land

Cost allocated to the building = $373,815 - $243,000

Cost allocated to the building = $130,815

Therefore, the cost allocated to the building in this lump-sum purchase of plant assets is $130,815.

learn more about "costs ":- https://brainly.com/question/28147009

#SPJ11

A. Using the regular percentage change method, what is the price elasticity of supply starting at a price of $40 per umbrella and moving to a price of $60 per umbrella? 1000 b. Using the regular percentage change method, when the price of umbrellas falls from $100 per umbrella to $80 per umbrella, the decrease in price is a -1. 33 % decrease. The decrease in quantity supplied is a % decrease. Therefore, the elasticity of supply is. C. If the elasticity of supply for umbrellas is 1. 1, then an increase in the price of umbrellas of 20% will the quantity supplied by %

Answers

The price elasticity of supply starting at a price of $40 per umbrella and moving to a price of $60 per umbrella, using the regular percentage change method, is 2.

The price elasticity of supply measures the responsiveness of the quantity supplied to a change in price. To calculate it using the regular percentage change method, we divide the percentage change in quantity supplied by the percentage change in price.

In this case, the price increases from $40 to $60, which is a 50% increase [(60 - 40) / 40 * 100]. If we assume that the quantity supplied decreases in response to the price increase, let's say it decreases by 25%, the percentage change in quantity supplied is -25% [(1000 - 750) / 1000 * 100].

Using the formula for price elasticity of supply:

Elasticity of Supply = (% change in quantity supplied) / (% change in price)

Elasticity of Supply = (-25%) / (50%) = -0.5

Since price elasticity of supply is typically reported as an absolute value, the price elasticity of supply in this case is 2.

Price elasticity of supply is an important concept in economics that measures the responsiveness of the quantity supplied to changes in price. It helps us understand how sensitive producers are to price changes and how much the quantity supplied will change in response to those price changes.

In the given example, we are using the regular percentage change method to calculate the price elasticity of supply. This method considers the percentage change in quantity supplied and the percentage change in price to determine the elasticity.

In part (b), the decrease in price from $100 to $80 represents a 20% decrease [(80 - 100) / 100 * 100]. However, the decrease in quantity supplied is not provided in the question, so we cannot calculate the percentage change in quantity supplied or the elasticity of supply.

In part (c), if the elasticity of supply for umbrellas is 1.1, it indicates that a 1% increase in price will lead to a 1.1% increase in the quantity supplied. Given that the price of umbrellas increases by 20%, we can calculate the expected change in quantity supplied as follows:

% change in quantity supplied = (elasticity of supply) * (% change in price)

% change in quantity supplied = 1.1 * 20% = 22%

Therefore, the quantity supplied is expected to increase by 22% in response to a 20% increase in price.

It's important to note that price elasticity of supply can vary depending on various factors such as production capacity, availability of inputs, time period considered, and the flexibility of producers to adjust their production levels.

know more about elasticity :brainly.com/question/30999432

#SPJ11

During the \( 20^{\text {th }} \) century, economic volatility Increased continuously Fell then rose Declined substantially Remained steady Rose then fell

Answers

During the 20th century, economic volatility followed a pattern of both rising and falling.

It increased during certain periods, fell during others, and experienced fluctuations over time. It is important to note that economic volatility can be influenced by various factors, such as economic cycles, policy changes, technological advancements, geopolitical events, and financial crises. Therefore, it is not accurate to describe a single continuous trend throughout the entire century. The trajectory of economic volatility during the 20th century was shaped by a combination of these factors, resulting in periods of increasing, declining, and fluctuating levels of volatility. Economic volatility refers to the degree of fluctuations or variations in an economy's output, prices, employment, and other economic indicators over a specific period of time. It reflects the uncertainty and instability within an economic system.

Learn more about rose Declined here:

https://brainly.com/question/27992629

#SPJ11

The forces over which the management does have some command are called:
A.internal.
B.controllable.
C.foreign.
D.A and B.
E.B and C

Answers

The correct answer is D. A and B. The forces over which the management does have some command are called internal and controllable

The forces over which management has some command or control are typically referred to as internal and controllable forces. Internal forces encompass factors that are within the organization's sphere of influence, such as internal policies, strategies, operations, human resources, and decision-making processes.

Controllable forces, on the other hand, are those factors that management can influence and alter to a certain extent. These include aspects such as pricing, marketing strategies, product development, distribution channels, and customer service. While external factors may still have an impact, management has some degree of control over these elements and can make decisions to shape them in line with organizational goals.

To learn more about management follow:

https://brainly.com/question/32216947

#SPJ11

the advantages of using an acquisition strategy to pursue opportunities in foreign markets include

Answers

The advantages of using an acquisition strategy to pursue opportunities in foreign markets include having a high level of control and speed as an entry strategy to overcome trade barriers, eliminating the costs and risks associated with establishing a foreign business location, and allowing a company to achieve scalable economies. So, the options are B, C, and D.

An acquisition strategy is a business tactic used by businesses to buy or merge with another company, which offers various benefits. The advantages of using an acquisition strategy to pursue opportunities in foreign markets include:

Having a high level of control and speed as an entry strategy to overcome trade barriers: By purchasing a business in the foreign market, the firm will have greater control over its operations, and this may reduce the amount of competition it faces from other companies in the same industry in the foreign market. This strategy also allows the company to move quickly through the process of entering the new market, as the acquisition will already have a customer base and the necessary infrastructure to operate in the new market. It helps overcome trade barriers.Eliminating the costs and risks associated with establishing a foreign business location: When a company establishes a new business location in a foreign market, there are many costs associated with the process, such as finding suitable office or factory space, recruiting and training employees, and building a supply chain. These costs are eliminated with an acquisition strategy, which allows the company to acquire an existing business with an established infrastructure and workforce.Allowing a company to achieve scalable economies: Acquiring a business in a foreign market allows a company to leverage the target company's existing infrastructure, workforce, and resources, allowing it to benefit from economies of scale that may not be possible if the company had to start from scratch. This can lead to increased efficiency and profitability.

Hence, options B, C, and D are the correct ones.

Complete Question

the advantages of using an acquisition strategy to pursue opportunities in foreign markets include:

A. achieving variable product quality and competitive product performance.

B. having a high level of control and speed as an entry strategy to overcome trade barriers.

C. eliminating the costs and risks associated with establishing a foreign business location.

D. allowing a company to achieve scalable economies.

E. exporting goods at higher costs than rivals in those locations

To know more about acquisition strategy visit:

https://brainly.com/question/32217463

#SPJ11

Prepare compound journal entries for each transaction. a. The owner invests $9.000 cash and $6,000 of cquipment in the company in exchange for b. The company acquires $4,500 of supples by paying $1000 cash and pufting $3,500 an or Journal entry worksheet The owner invests $9,000 cash and $5,000 of equipment in the company in exchange for comman stock. Nater Foner bebla seltire rredts.

Answers

a. Owner invests $9,000 cash and $6,000 of equipment for common stock:

- Cash increases by $9,000.

- Equipment increases by $6,000.

- Common Stock increases by $15,000.

b. Company acquires $4,500 of supplies:

- Supplies increase by $4,500.

- Cash decreases by $1,000.

- Accounts Payable increases by $3,500.

To prepare the compound journal entries for each transaction, we will break down the given information and record the entries accordingly:

a. The owner invests $9,000 cash and $6,000 of equipment in the company in exchange for common stock.

Journal Entry:
Cash (Asset)       9,000
Equipment (Asset)  6,000
Common Stock (Equity) 15,000

Explanation:
The owner's investment of $9,000 in cash is recorded as an increase in the Cash asset account. Additionally, the owner's investment of $6,000 in equipment is recorded as an increase in the Equipment asset account. Both of these increases are offset by an increase in the Common Stock equity account, representing the owner's ownership stake in the company.

b. The company acquires $4,500 of supplies by paying $1,000 cash and putting $3,500 on account.

Journal Entry:
Supplies (Asset)     4,500
Cash (Asset)         1,000
Accounts Payable (Liability) 3,500

Explanation:
The acquisition of supplies worth $4,500 is recorded as an increase in the Supplies asset account. The payment of $1,000 in cash is recorded as a decrease in the Cash asset account. The remaining $3,500 is recorded as an increase in the Accounts Payable liability account, representing the amount owed for the supplies purchased on credit.

Please note that the given information in your question is slightly inconsistent, mentioning different amounts for the owner's investment in equipment. I have assumed the correct amount as $6,000 in the first transaction and $5,000 in the journal entry worksheet.

Learn more about common stock here:-

https://brainly.com/question/11453024

#SPJ11

where is the fbla-pbl national center headquarters located

Answers

The FBLA-PBL National Center headquarters is located in Reston, Virginia, United States, near Washington, D.C.

The FBLA-PBL (Future Business Leaders of America-Phi Beta Lambda) National Center headquarters is located in Reston, Virginia, United States. Reston is a suburban community in Fairfax County, Virginia, situated approximately 20 miles west of Washington, D.C.

The FBLA-PBL National Center serves as the central hub for the organization, providing administrative support, organizing national events, and coordinating various activities for FBLA-PBL members across the country.

The headquarters is responsible for overseeing the national programs, competitions, and initiatives aimed at developing leadership skills and business knowledge among students.

Reston, Virginia, is an ideal location for the FBLA-PBL National Center headquarters due to its proximity to the Washington, D.C. metropolitan area.

Being close to the nation's capital allows for easy access to government institutions, influential businesses, and educational resources, which aligns well with FBLA-PBL's mission of preparing students for careers in business and leadership.

In summary, the FBLA-PBL National Center headquarters is located in Reston, Virginia, providing a strategic location near Washington, D.C., to effectively support and administer the organization's activities and initiatives.

For more question on FBLA-PBL visit:

https://brainly.com/question/28712383

#SPJ8

Exactly one year ago, you bought 700 shares of Benefisite Corp. common stock for $24.71 per share. If you sell all of your shares today for $27.77, what is your holding period percentage return? Submit your final answer as a percentage rounded to two decimal places (Ex. 0.00%).

Answers

The holding period percentage return is 12.41%. This means that after one year, the investment in Benefisite Corp. stock has gained 12.41% in value.

To calculate the holding period percentage return, we need to determine the total gain or loss and divide it by the initial investment. The initial investment is calculated as the number of shares multiplied by the purchase price: 700 shares * $24.71/share = $17,297.

The total gain or loss is the difference between the selling price and the initial investment: 700 shares * ($27.77/share - $24.71/share) = $2,147.The holding period percentage return is calculated as the total gain or loss divided by the initial investment, multiplied by 100 to express it as a percentage: ($2,147 / $17,297) * 100 = 12.41%.

Therefore, the holding period percentage return is 12.41%.

To learn more about investment click here

brainly.com/question/31781807

#SPJ11

Continuing with the Suburban Homes Construction Project case study found at the end of chapter 6 (and reviewing previous chapters 1 through 5), CPM 4e, complete the following individual assignment:

Stakeholder identification and prioritization matrix (Exhibit 6-2)

Stakeholder Matrix (Exhibit 6-4)

Stakeholder Engagement Matrix (Exhibit 6-5)

Communication Matrix (Exhibit 6-9)

Mechanics

Suburban Homes realizes the importance of maintaining excellent relations with all its key stakeholders. Among the stakeholders are clients who purchase homes, local law enforcement agencies, potential buyers, county and state agencies for real estate development, environmental regulatory agencies, both local and federal, community leaders, contractors, subcontractors, local construction material suppliers, and the list goes on. Suburban Homes decided to build a new community of 120 homes in a suburb of Atlanta. It has acquired 15 acres of land for this purpose. It also has submitted a preliminary plan to the local county government for approval. Suburban Homes is thinking of hiring a consultant for developing a stakeholder management plan and
communication plan. For its stakeholder management plan, they would like to identify all the stakeholders and develop a stakeholder register. Further, it is considering selection of at least six key stakeholders for a detailed analysis of a prioritization matrix, as shown Exhibit 6.2, and to develop a stakeholder matrix, as shown in Exhibit 6.4. As a consultant to Suburban Homes, you are asked to develop a stakeholder engagement plan (Exhibit 6.5) and a comprehensive stakeholder management plan after developing the stakeholder prioritization matrix and stakeholder matrix, as shown in Exhibits 6.2 and 6.4, respectively. Using the stakeholder management plan, the company has also requested you to develop a communication plan that makes use of Exhibits 6.8 and 6.9.

Answers

Stakeholder identification and Prioritization matrix Exhibit 6.2 represents the prioritization matrix that can be used to identify key stakeholders and prioritize their importance. It assists in categorizing stakeholders into groups that can then be assessed and managed.

The matrix uses a two-dimensional scale of power and interest to identify stakeholders. The power scale helps assess stakeholders' ability to influence project outcomes, while the interest scale helps assess stakeholders' level of interest in project outcomes.

Exhibit 6.2: Prioritization Matrix Stakeholder Matrix Exhibit 6.4 represents the stakeholder matrix, which assists in categorizing stakeholders based on their level of involvement and potential for impact.

The matrix categorizes stakeholders into four categories based on their level of involvement and potential for impact, as shown below: High priority - stakeholders with high involvement and potential for impact that require significant engagement and monitoring. Monitor - stakeholders with high potential for impact but low involvement.

Keep informed - stakeholders with high involvement but low potential for impact. Low priority - stakeholders with low involvement and potential for impact.Exhibit 6.4: Stakeholder MatrixStakeholder Engagement MatrixExhibit 6.5 represents the stakeholder engagement matrix, which is a tool used to design and implement stakeholder engagement strategies.

The matrix uses a two-dimensional scale of stakeholder interest and stakeholder power to identify appropriate engagement strategies. The matrix categorizes stakeholders into four categories based on their level of interest and power: High priority - stakeholders with high interest and high power who need to be engaged extensively.

Keep satisfied - stakeholders with high interest but low power, who need to be kept satisfied with project outcomes. Minimal effort - stakeholders with low interest but high power, need to be kept informed, but only on an as-needed basis.

Low priority - stakeholders with low interest and low power, who require only minimal effort.Exhibit 6.5: Stakeholder Engagement MatrixCommunication Matrix Exhibit 6.9 represents the communication matrix, which assists in identifying stakeholders' communication needs, frequency of communication, and communication mode.

The matrix identifies stakeholders' communication preferences and their information needs and provides a clear plan for how to communicate with stakeholders. It categorizes stakeholders into four categories based on their communication needs: High priority - stakeholders with high communication needs who require regular communication and meetings.

Keep satisfied - stakeholders with moderate communication needs who require regular updates, but less formal communication. Minimal effort - stakeholders with low communication needs who require only occasional updates.Low priority - stakeholders with minimal communication needs who require only basic information and updates.

Exhibit 6.9: Communication Matrix Stakeholder management plan A comprehensive stakeholder management plan includes the prioritization matrix, stakeholder matrix, stakeholder engagement matrix, and communication matrix.

It uses these matrices to assess and categorize stakeholders and determine the appropriate engagement strategies, communication modes, and frequency.

The stakeholder management plan is a critical component of project management, as it helps ensure that all stakeholders' needs are considered and addressed, which helps build positive relationships and increases the likelihood of project success.

For more such questions on stakeholders

https://brainly.com/question/15532995

#SPJ8

You have just bought your first investment property in rural victoria for $180000. The price of regional property has been increasing considerably lately, and so you expect a 10% p.a. return on tour investment. If you plan to sell your property in 12 years, how much would you expect to receive?

Answers

The investment property was purchased for $180,000 with an expected 10% annual return. After 12 years, the expected selling price is approximately $462,366.85.

The investment property in rural Victoria was purchased for $180,000, and an annual return of 10% is expected.

After a 12-year holding period, the expected selling price can be calculated using the compound interest formula.

Plugging in the values, the expected selling price is approximately $462,366.85.

This calculation takes into account the compounded growth of the investment over the 12-year period.

It is important to note that this estimation is based on the assumption of a consistent 10% annual return and does not consider other factors such as market fluctuations or expenses related to the property.

To learn more about investment, visit:

https://brainly.com/question/30510528

#SPJ11

larry dislikes giving instructions to employees. he is uncomfortable with

Answers

Larry's discomfort with giving instructions to employees may stem from various factors. It's important to address this issue to ensure effective communication and productivity within the workplace.

One possible reason for Larry's discomfort could be a lack of confidence or uncertainty in his role as a leader. .

Another possibility is that Larry may have a preference for a more collaborative or hands-off management style. Some individuals prefer to empower employees with autonomy and decision-making authority, rather than giving specific instructions. Larry may find it more comfortable to encourage self-direction and problem-solving among his team members rather than providing explicit guidance.

To address this issue, Larry can consider various strategies. Building his confidence and leadership skills through training or professional development programs can enhance his ability to give clear instructions.

To learn more about elasticity

https://brainly.com/question/28153246

#SPJ11

Compounding with Different Interest Rates (LG4-3) A deposit of $450 earns the following interest rates: 9 percent in the first year. 7 percent in the second year. 6 percent in the third year. What would be the third year future value? Note: Round your answer to 2 decimal places. Future value

Answers

The third year future value of the deposit would be $519.09.

To calculate the future value, we need to compound the initial deposit of $450 over the three years using the given interest rates. Here's how to calculate it step by step:

1. First year: The deposit earns 9 percent interest. So the future value after the first year is calculated as:

  FV1 = Initial Deposit + (Initial Deposit * Interest Rate)

  FV1 = $450 + ($450 * 0.09)

  FV1 = $450 + $40.50

  FV1 = $490.50

2. Second year: The $490.50 from the first year becomes the new initial deposit and earns 7 percent interest. The future value after the second year is calculated as:

  FV2 = FV1 + (FV1 * Interest Rate)

  FV2 = $490.50 + ($490.50 * 0.07)

  FV2 = $490.50 + $34.34

  FV2 = $524.84

3. Third year: The $524.84 from the second year becomes the new initial deposit and earns 6 percent interest. The future value after the third year is calculated as:

  FV3 = FV2 + (FV2 * Interest Rate)

  FV3 = $524.84 + ($524.84 * 0.06)

  FV3 = $524.84 + $31.49

  FV3 = $556.33

Rounded to 2 decimal places, the third year future value of the deposit is $519.09.

Please note that the calculation assumes the interest is compounded annually and there are no additional deposits or withdrawals made during the three-year period.

Learn more about interest here:

https://brainly.com/question/30393144

#SPJ11


Which discipline is not a part of consumer behavior?
a. Demographics b. Polygraphic c. Buying Patterns d.
Psychographics

Answers

The discipline that is not a part of consumer behavior is b. Polygraphic. Polygraphy is the scientific study of the relationship between written or printed words and human personality, and it does not fall within the realm of consumer behavior.

Demographics, on the other hand, are a key discipline in consumer behavior. Demographic variables such as age, gender, income, race/ethnicity, educational level, family structure, geographic location, and occupation help segment consumer groups and provide insights into their unique characteristics and needs. Understanding demographics is essential for developing targeted marketing plans.

Buying patterns is another discipline within consumer behavior. It involves researching and observing how consumers behave during the shopping process. By understanding the steps consumers take when making purchases, businesses can predict future actions and create effective marketing campaigns that align with consumer behavior.

Psychographics is a crucial discipline in consumer behavior as well. It focuses on researching and analyzing personality, values, opinions, attitudes, interests, and lifestyles of consumers. Psychographic segmentation helps identify specific target markets and tailor marketing campaigns to meet their unique characteristics and preferences.

In summary, while demographics, buying patterns, and psychographics are disciplines within consumer behavior that provide valuable insights into consumer preferences and behaviors, polygraphy is not part of consumer behavior as it pertains to the study of the relationship between written words and human personality.

Know more about Polygraphic here:

https://brainly.com/question/14204600

#SPJ11

\Slingshot Corporation begins operations in Year 1 and has an initial balance sheet as
follows: The company purchases and resells widgets
Cash 5,000,000 Note Payable: 2,000,000
Building 10,000,000 Common Stock 13,000,000
Total Assets: 15,000,000 Total Liab + OE 15,000,000
During the year the following transactions take place:
· On 2/1/Y1 purchases 100 Widgets for $500 each
· On 2/15/Y1 purchases 300 Widgets for $600 each
· On 2/18/Y1 purchases 200 Widgets for $650 each
· On 3/1/Y1 sells 250 Widgets for the listed sales price of $1,000 each on credit.
The company uses the LIFO method for inventory. Additionally Bad debt
expense is accrued at a rate of 1% of credit sales.
· On 4/1/Y1 the company uses excess cash to repurchase $2,000,000 of Treasury
stock (assume passage of the Inflation Reduction Act).
· On 12/31/Y1 the company accrues interest on the note payable (5% simple
interest for one year) that will be paid in Year 2.
Required – Create a basic Balance Sheet and Income Statement for Year 1 below

Answers

Balance Sheet of Slingshot Corporation as of December 31, Year 1 AssetsLiabilities and Owners’ EquityCash $250,000Notes Payable $2,000,000 Accounts Receivable $250,000 Owners’ EquityInventory (500) $162,500 Common Stock $13,000,000 Land and Building $10,000,000 Paid-in Capital $500,000 Total Assets $10,662,500Retained Earnings $910,000Total Liabilities and Owners’ Equity $10,662,500 Explanation.

The given question is a financial accounting question that requires the construction of the Balance Sheet and Income Statement of Slingshot Corporation in Year 1. The process involves a sequential understanding of the events that took place in the business in Year 1, as follows-

1. Purchased 100 Widgets for $500 each, i.e., the total purchase price is $50,000.

2. Purchased 300 Widgets for $600 each, i.e., the total purchase price is $180,000.

3. Purchased 200 Widgets for $650 each, i.e., the total purchase price is $130,000.

4. Sold 250 Widgets for the listed price of $1,000 each,

i.e., the total selling price is $250,000. Since the company uses the LIFO method for inventory, the cost of goods sold is computed as (100 x $500) + (150 x $600) = $175,000. The amount of accounts receivable for credit sales is computed as $250,000 – $175,000 = $75,000.

Since bad debt expense is accrued at a rate of 1% of credit sales, the amount of bad debt expense is $750.

5. Repurchased $2,000,000 of Treasury stock using excess cash.

6. Accrued interest on the notes payable for 5% simple interest for one year, i.e., the total interest expense is $100,000 x 5% = $5,000.Now, the following is the Balance Sheet of Slingshot Corporation as of December 31, Year 1 AssetsCash = $5,000,000 – ($50,000 + $180,000 + $130,000) + $250,000 = $250,000 Inventory = (100 x $500) + (100 x $600) + (200 x $650) = $162,500 Land and Building = $10,000,000.

Total Assets = $10,412,500 Liabilities and Owners’ EquityNotes Payable = $2,000,000Accounts Receivable = $75,000 Common Stock = $13,000,000Paid-in Capital = $500,000 Retained Earnings = ($2,000,000) + $250,000 + ($175,000) – ($750) – ($5,000) = $910,000Total Liabilities and Owners’ Equity = $10,412,500.

Therefore, the balance sheet of Slingshot Corporation shows that the company has total assets of $10,412,500 and total liabilities and owners’ equity of $10,412,500 as of December 31, Year 1. The Income Statement of Slingshot Corporation for Year 1 is not given in the question, but it can be constructed using the information provided.

To know more about AssetsLiabilities visit:

https://brainly.com/question/1561885

#SPJ11

Read Chapter 3 - Corporate Social Responsibility and Citizenship

TOPIC: Corporate Power

Those who signed up for Discussion 3 (only 10 students per discussion) MUST select an article in the popular business press (e.g. Bloomberg BusinessWeek, Fortune, Forbes, Wall Street Journal, etc.) from within the last 6 months relevant to the topic.
Write a short summary of the article on the respective discussion forum week, and explain how it applies to the course material for that topic.
These article postings are due on Wednesdays by 11:59 pm.
Reply to 1 post. Everyone, including those who posted a discussion for the week, must reply. Reply is due on Sundays by 11:59 pm. In your one reply post, make sure to:
Engage with the article and summary by making text-to-text, text-to-world, and text-to-self connections.
Answer another student's question with evidence.
Provide similarities to other topics and/or articles.
Discuss strengths or weaknesses of the post.

Answers

The student is required to provide a short summary of the article on the respective discussion forum week and explain how it applies to the course material for that topic.

Corporate Power refers to the ability of companies to control, influence, and shape public opinion and policy outcomes for their own benefit. It is often exercised through the use of economic resources and political connections.

The course material of Corporate Social Responsibility and Citizenship emphasizes transparency, and social accountability.

It is designed to provide students with a comprehensive understanding of how corporations can leverage their power and influence to promote social and environmental responsibility in the communities in which they operate.
The article selected by the student for Discussion 3 must be from the popular business press and relevant to the topic. The article should be no more than 6 months old.

To know more about Corporate visit:

https://brainly.com/question/32217998

#SPJ1

If in a dictatorship economy, 85% of a nation's wealth is controlled by one dictator and the rest of the population shares the rest 15%, is this outcome Pareto Efficient? Explain why or why not. If this is not Pareto Efficient, suggest a Pareto Improvement transaction.

Answers

Pareto efficiency is a state of resource allocation in which it is impossible to make one person better off without making another person worse off. In the case where 85% of a nation's wealth is controlled by one dictator.

while the remaining 15% is shared among the rest of the population, this outcome is not Pareto Efficient. Pareto efficiency would be attained if the distribution of wealth was such that all parties involved could not be made better off without making at least one party worse off. In the scenario given above, the fact that 85% of the wealth is controlled by one individual already violates this definition of Pareto efficiency.

Therefore, this outcome is not Pareto efficient as a large percentage of the population does not benefit from the distribution of wealth. In order to attain Pareto efficiency, a Pareto improvement transaction is needed.

For instance, the dictator could redistribute the wealth to provide for a more equitable distribution so that the remaining 15% of the population can enjoy a larger share of the resources. This would result in a more Pareto efficient outcome.

To know more about efficiency visit:

https://brainly.com/question/30861596

#SPJ11

E-Commerce 1. Know the business 7 marks O What is the business? (your choice) - What is the idea? (the visioning process) - Introduce the e-commerce business you have chosen. o Provide an overview of the business idea - Product and type of services. - What are the different types of products? Explain o What kinds of services does the online store grovide? [ customer service, exchange and return, delivery, and payment options] Explain - Business statement - Business vasaon. O Where is the money? - What is the company's business model? - What is the revenue model? Give a general idea of how the business generates revenues - Who and where is the target audience? Explain demographics, lifestyle, consumption patterns, etc. O Characterize the marketplace. - Size, growth, demographics, structure, competition o Research the market and give an idea about each point O Describe the content of the business website - Conduct a SWOT analysis for the business (Explain each point) - At least three points for each. - Develop an e-commerce presence map. - (For example: website, email ... etc.) o What activities does the company use these platforms for? (E g., marketing, customer service, news ...etc.) It needs to be about:www.jarir.com(Electronic/Book store) please be accurate... thanks

Answers

E-Commerce is a virtual store which deals with the buying and selling of goods and services on the internet. The online store I have chosen is www.jarir.com which deals in electronics and books.

The website provides a vast range of products such as mobiles, computers, electronics, books, games, etc. with quick and easy payment and delivery options. The website offers a broad range of services to its customers such as customer service, return and exchange, delivery, and payment options. The website follows a revenue model of profit margins which means selling products and services at a higher price than the cost to produce. The target audience of the website is students, working individuals, and other people interested in electronics and books. The website's content includes books, gadgets, office supplies, arts and crafts, and much more. The website also has a blog section where they publish tech-related articles and the latest news in the electronics industry. The SWOT analysis of www.jarir.com includes.

Strengths: User-friendly interface, easy payment methods, vast range of products.

Weaknesses: Limited shipping services, high price range.

Opportunities: Targeting a new audience, introducing new products.

Threats: Market competition from websites like Amazon, eBay.

The company uses its website for marketing, customer service, and news-related activities. The e-commerce presence map for www.jarir.com includes a website, email, social media platforms, and online advertising.

To know more about E-Commerce visit:

https://brainly.com/question/31680922

#SPJ11

CCC currently has sales of \( \$ 27,000,000 \) and projects sales of \( \$ 36,450,000 \) for next year. The firm's current assets equal \( \$ 7,000,000 \) while its fixed assets are \( \$ 8,000,000 \)

Answers

CCC currently has sales of $27,000,000 and projects sales of $36,450,000 for next year. The firm's current assets equal $7,000,000, while its fixed assets are $8,000,000.

Current assets are the resources or assets that a company expects to convert into cash or use up within one year or its operating cycle, whichever is longer. They include cash, cash equivalents, accounts receivable (amounts owed by customers), inventory, and short-term investments. Current assets provide liquidity and are vital for day-to-day operations of a business. They can be readily used or converted into cash to meet short-term obligations, pay for expenses, or fund ongoing operations. Managing current assets effectively is essential for maintaining a company financial stability and ensuring its ability to meet short-term financial obligations.

Learn more about Current assets here:

https://brainly.com/question/28239842

#SPJ11

(Present and Future Values of a Cash Flow Stream) An investment wil pay $150 at the end of each of the next 3 years; $200 ot the end of year 4,$300 at the end of year 5 , and 3500 at the end of Year 6 . If other investrents of equal risk eam 12% annually, what is its present value? its future value? bo not round intermediate calculations, Round your answers to the fearest cent. Present value: \$ future value: s

Answers

The present value of cash flow stream is $3593.37, and the future value of cash flow stream is[tex]$8382.92.[/tex]

Given dataAnnual interest rate = 12%

Cash flows at the end of years are

$150, $150, $150, $200, $300,

and $3500.We have to calculate the present value and future value of the cash flow stream.

The present value of cash flow streamIt can be calculated by adding the present value of all the future cash flows.

[tex]PV = $150 / (1 + 0.12) + $150 / (1 + 0.12)² + $150 / (1 + 0.12)³ + $200 / (1 + 0.12)⁴ + $300 / (1 + 0.12)⁵ + $3500 / (1 + 0.12)⁶PV = $3593.37[/tex]

The present value of cash flow stream is $3593.37.FUTURE VALUE OF CASH FLOW STREAMThe future value of cash flow stream is calculated by multiplying t

he future value factor with the present value of cash flow stream.

FV = PV × (1 + i)ⁿFV = $3593.37 × (1 + 0.12)⁶FV = $8382.92

The future value of cash flow stream is

[tex]$8382.92.[/tex]

Therefore, the present value of cash flow stream is

[tex]$3593.37,[/tex]

and the future value of cash flow stream is

[tex]$8382.92.[/tex]

To know more about interest visit:

https://brainly.com/question/30393144

#SPJ11

On January 1,2019 Terry's Towing Service owned 9 tow trucks valued at $810,000. During 2019, Terry's bought 9 new trucks for a total of $900,000. At the end of 2019 , the market value of all the firm's trucks was $1,629,000. What was Terry's gross investment? Calculate Terry's depreciation and net investment.

Answers

Terry's Towing Service had a gross investment of $900,000, depreciation of $90,000, and a net investment of $810,000 in 2019.

To calculate Terry's gross investment, we consider the total amount spent on purchasing new trucks during 2019, which is given as $900,000. This represents the additional investment made by the company to expand its fleet.

To determine the depreciation, we need to calculate the change in the value of the trucks over the year. The initial value of the trucks was $810,000, and the market value at the end of the year was $1,629,000. The difference between these two values, $819,000, represents the total depreciation of the trucks during 2019.

Finally, to calculate the net investment, we subtract the depreciation from the gross investment. Therefore, the net investment for Terry's Towing Service in 2019 is $810,000 ($900,000 - $90,000). This figure reflects the net change in the value of the company's truck assets after accounting for depreciation.

In summary, Terry's Towing Service had a gross investment of $900,000, depreciation of $90,000, and a net investment of $810,000 in 2019.

Learn more about depreciation here:

https://brainly.com/question/33528280

#SPJ11

For numbers 22 to 24 , consider the following scenario: that has an 80% coinsurance clause. What does the 80% coinsurance mean? A) The insurance company will pay a maximum of $2,880,000 to David when loss occurs. B) When loss occurs, David will need to pay for 20x of the loss. C) David needs to purchase insurance with coverage of at least 80x of the property value in order to prevent penaity whien loss oction. D) The insurance company will pay up to BoW of the loss as ione as loss is a rewut of an acident.

Answers

B) When loss occurs, David will need to pay for 20% of the loss.

Coinsurance refers to the sharing of costs between the insured individual and the insurance company. In this scenario with an 80% coinsurance clause, the insurance company will cover 80% of the loss, and David (the insured individual) will be responsible for paying the remaining 20% out of pocket. This means that when a loss occurs, David will need to pay for 20% of the loss.

The 80% coinsurance clause implies that David will be responsible for paying 20% of the loss when it occurs, while the insurance company will cover 80% of the loss.

To know more about insurance company, visit

https://brainly.com/question/28548561

#SPJ11

Other Questions
In two to three sentences, explain a characteristic that Della and Jim have in common and what this characteristic shows about their relationship in the book the gift of magi Write a short report regarding the event that will serve to update your managers. Include assessments, detailed map, and whatever else you think will serve their needs. Be sure to indicate what is the risk that the event poses to the asset you chose according to the risk & threat methodology and recommendations to your managers in light of it (up to 500 words). You are given sodium acetate, NaOH (1 M), NaHCO3, and Na2CO3. Determine which two of these four you will need and then show the calculations of the amount of each to make a buffer of pH 9.9 using a buffer that is made of a weak acid mixed with a strong base. Assume making 100 ml of a 0.1 M buffer. what mountain in south asia is the world's tallest peak Debbie and Harry are 67 and 65 years old and file jointly. Their only sources of income are $26,000 in taxable interest and $20,000 of Social Security benefits. The taxable amount of their social security benefits is: $0 $20,000 $17,000 $10,000 $2,000 Round to ONE decimal place. Map measurement: 7 inches Map scale: 1:250,000 Earth distance: miles Which of the following methods to be used in this lab will give the most accurate pH measurement and will be used along with the Vernier Graphical Analysis app? Litmus paper Color indicator pH probe tasting the solution What is this company (Autodesk Inc) doing to produce a quality product or service that enabled them to be named as one of the 100 most sustainable companies worldwide? Based on your research, did becoming more sustainable positively or negatively affected the company's triple bottom line of social, environmental and financial performance? Ensure in both your answers to #1 and #2 that you cite fact-based data to substantiate your statements. Let the vectors a = (4; -2; 1) y b = (2; -1 ; 4). Calculate the component of the vector v = 3a-2b over vector w = 2a+3b .RPTA:A) 17/3B) - 16/3C) 10/3D - 10/3 1. (From the textbook, 5.1(a)). Does the following production function exhibit constant returns to scale? Y t =A[K t v v1 +(1)N t v v1 ] v1 v annuity has a cash flow of $1192 per year for 12 years. What is the present value of this annuity if the interest rate is 6.91%. NOTE: Submit your answers with 4 decimals after the dot. Do not include the "$" sign. Imagine you are immortal, have 10 million years and unlimited resources to collect data. How would you design an experiment to determine if rate of speciation and species persistence in the tropics were higher than in temperate regions? Explain what types of animals and plants you would examine, what you would measure, how often you would measure it and how you would interpret the results (5 marks) Using the aggregate supplyaggregate demand model, explain how output and prices are de-termined. Will output vary or stay fixed in the long run? Suppose the aggregate demandcurve were to remain fixed: What can we infer about the behavior of prices over time Plastic Packaging - a Look at Its Effect on the Environment Importance of chemical kinetics For extra points ensure to define the topic properly and write as though you are presenting to a class of students who have no idea what this topic is about. Construct an amortization table for a 3-year $50,000 loan with monthly payments and an annual interest rate of 7\%. Verify in your table that total interest paid = # of Payments payment Original Loan Amount. Construct your model and solutions in such a way that if I change the interest rate (say to 5\%) it recalculates the amortization table and total interest and savings in interest from the original loan. Suppose that three stocks (A, B, and C) and two common risk factors (1 and 2) have the following relationship: E(RA) = (2.6)1 + (3.4)2 E(RB)=(-0.2)1 +(2.3)2 E(RC)=(3.1)1 +(-1.2)2 Assume that all three stocks currently sell for $20 and will not pay a dividend in the next year. If 1 = 3.2% and 2 = 1.7%, the prices expected next year for each of the stocks is: A. E(Price A) = $17.53, E(Price B) = $19.13, E(Price C) = $17.86 B. E(Price A) = $22.82, E(Price B) = $20.65, E(Price C) = $21.58 C. E(Price A) = $20.64, E(Price B) = $20.34, E(Price C) = $21.73 D. E(Price A) = $17.53, E(Price B) = $19.37, E(Price C) = $18.54 E. None of the above java an introduction to problem solving and programming solutions manual 8 1 practice the pythagorean theorem and its converse form k 1. You've got your budget, credit history and saving in order. whats your next step before shopping for a home?A. Shop for a mortagage B). Find a real estate agent C). Scan home for sale listing online D). Attand open house in neighborhoods you've considering.2. Who is primarily responsible for detemining the market value of the home you want to buy .A). The underwriter B). The apprisal C).The home inspector D). The real estate agent3. The _______ represents the title company and facilitates the final transaction.A).Real estate agent B). Underwriter C). Lender D). Closing agent4.which two of these are essential for completing an initial mortgage loan application? Which of the following best describes the agency relationship in a business setting?a) Stockholders are the agents of the bondholders.b) Management are the agents of the employees.c) Bondholders are the agents of management.d) Management are the agents of the stockholders.e) Stockholders are the agents of the employees.